Verhovayak Lapja, 1952 (35. évfolyam, 1-12. szám)

1952-08-06 / 8. szám

/ 1952 augusztus 6 Verhovayak Lapja ll-IK OLDAL STATEMENT FOR THE MONTH OF MAY, 1952 I. Balance from Previous Month Monthly Dues.......................................... Interest on Mortgage Loans ............... Int. on Membership Certif. Loans ..... Interest on Bonds .................................. Dividend on Stocks ............................... Int. on Bank Deposits ......................... Int. on Real Estate Loans .............. Home Office Building Income .......... Profit on Sale or Maturity of- Bonds Bond Amortization Increase .............. Deposit to Trust Fund ...................... Handling Charges — Cash Surr......... Handling Charges — Certif. Loans ... Employees and Officers — Withholding Tax Deductions .......... Employees and Officers — Social Security Deduction................ 1952 Bowling Tournament ............... Mortuary Fund \ 10,834,8S6.22 66,980.94 1,044.12 128/99 25,744.83 61.32 92.99 20.78 3,437.50 1,426.83 25.56 Total Income TOTAL . 98,963.96 10,933,850.18 Death Benefit Claims .......................... Matured Endowments .............................­Cash Surrenders ........................................ Dividends ..............................-..................... Home Office Building Disb..................... Investment Expenses .............................­Loss on Sale or Mat. of Bonds .............. Actuarial and Auditing Expenses ...... Amort, of Mtge. Premium Monthly Dues Refunds ........................... Accrued Bond Interest .........._............... Sickness and Accident Claims .............. Trust Fund Paid Deposits ..._............... Premium Refund ....................................... Commissions ..................................-........ Medical Examinations .........................— Collection of Dues .................................. Adv., Printing, Stationery .................— Inspection of Risks ................................. Office Employees Salaries ..................... Salaries — Officers ............................. Travel and Other Expenses ................... Insurance Department Fees -................. Branch Office Rental .............................. Home Office Rental .............................. General Office Main. Expense .............. Office Mach. Main, and O. Equip. Main. Postage, Tele., Teleg., Express ............ American-Hungarian Federation -----­Verhovay Fund ...................................... Official Publication .............................. Other Legal Expense ......_..................... Furniture and Equipment ................... Books, News, Periodicals ..................... Sports Activities Fund .......................... Social Security Federal Tax ............... 1952 Bowling Tournament .................... Collector of Internal Revenue Withheld Taxes—April ............... Total Disbursements BALANCE ......... 39,530.69 1,750.00 3,135.76 264.20 2,603.62 983.26 373.63 246.66 217.46 374-48 479.07 49,958.83 10,883,891.35 Disability Trust Junior O.Junior O. Expense Fund Fund Fund Exp. Fund Fund 606,832.04 104,251.53 1,287,447.92 12,895.16 18,813.91 * 11.INCOME 12,444.00 — 13,330.32 6,202.48 20,501.59 ZI 12.49 90.00 1,552.50 —.—---. ; —.— \____ 1,674.01 —.— 35.00 257.00 1.00 5.20 12,444 619,276.04 2,720.01 213.12» 312.00 00 1,764.01 14,895.31* 6,238.48 24,008.95 106,015.54 1,302,313.23:: 19,133.61 —.--------------------------i------i /.OOPo 42,822.86 III. DISBURSEMENTS 13,74605 1,490, 13,746.05 1,190 72 ,72 605,529.99 104,524.82 TOTAL 12,865,126.78 119,459.33 1,044.12 ‘ 141.4S 27.3S7.38 61.32 92.99 20.78 3,437.50 1,426.88 25.56 1.674.01 292.00 6.20 2.720.01 213.12 312.00 158,314.71 13,023,441.49 __v---39,530.69 ____ 1,750.00 619.03 _#__---.--3,754.79 98.82 _.--­--.--363.02 ____: —,--2,303.62 _____ 933.26 _ _ 373.63 ____ 246.86 _____ 217.45 16.32---.--­—.— 390.80 51.30 _.--­---.--530.37 ____ _.---13,746.05 __v--1,490.72 279.08 __,__---.---279.08 1,793.23 3,399.66 5,192.94 23.00 713.00 736.00 837.35 6,672.27 7,509.62 186.25 2,715.58 2,901.83 ____---.---43.95 43.95 __ _6,197.68 6,197.63 __#_3,333.32 3,333.32 __w_1,209.84 1,209.84 __w_ 20.00 20.00 __w_ 263.00 263.00 __#__ 910.0-0 910.00 ____ 29.50 29.50 ___ 45.50 45.50 _ ____ 277.57 277.57 _____---.---83.33 83.33 _^__ 83.33 83.33 ____1,138.53 1,138.53 _____ 225.00 225.00 _#__ 379.95 379.95 V-\ __--.--196.85 196.85 150.00 150.00 —i---.---515.34 515.34 690.25 690.25--.---2,72.1.92 2,721.92 1,064.55 2',839.88 32,015.37 101,115.40 11,278.68 16,293.76 10,807.49''12.922,326.09 JOHN SZALANCZY, National Treasurer JOHN SABO, National Auditor DISTRIBUTION OF ASSETS ACCORDING TO FUNDS R. E. H. O. Bldg. Less Reserve Accounts Receivable Mtge. Loan A/C Branch R. EL A/C Loans and Liens Bond A/C Stock A/C Cash A/C Savings A/C . Machinery Less Reserve BALANCE Senior Order $ 124,318.33 910.00 382,395.12 8,506.28 541,555.33 10,275,856.91 35,032.47 87,862.63 36,133.32 7,658.44 $11,500;228.83 Trust Fund Junior Order $ 88,963.21 12,098.75 3,462.86 §104,524.82 21,712.87 1,259,044.83 36,814.74 $1,317,572.44 TOTAL 124,318.33 910.00 382.395.12 8,506.28 563,268.20 11,623,864.95 35,032.47 136.776.12 39,596.18 7.658.44 $12,922,326.09 JOHN SZALANCZY, National Treasurer JOHN SABO, National Auditor A VÁSÁRFIA — Hun vette kend ezt a szép tajtékpipát, sógor. — A pesti vásáron, öcsém. — Szép szerszám. Oszt mit adott érte? — Ezért? Semmit sem ad­tam, még én kaptam ráadást. — Ez már döfi. Aztán mi vót a ráadás? — A ráadás? Ingyen koszt, meg kvártély három hónapig a dutyiban.---------<«§ ---------­A VILÁG olajtermelése na­ponta 11,850,000 tonna. i»— -

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